Financials
Value 202020212022202320242025 TTM Cash from investing activities 115 M160.38 M120.45 M-234.86 M-382.47 M-59.94 M -53.99 M Cash from financing activities -252.1 M-262.81 M-121.34 M355.3 M490.84 M115.97 M 90.76 M Free cash flow 141.7 M84.92 M21.59 M-97.53 M-94.59 M-85.54 M -8.02 M